Financial Risk Analyst

Cargill

Vue: 130

Jour de mise à jour: 16-11-2025

Localisation: Ghent East Flanders

Catégorie: Finance / Banque / Stock Direction

Industrie: Industrie

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le contenu du travail

Want to build a stronger, more sustainable future and cultivate your career? Join Cargill’s global team of 155,000 employees who are committed to safe, responsible and sustainable ways to nourish the world. This position is in Cargill’s food ingredients and bio-industrial business, where we anticipate trends around taste, nutrition and safety to innovate and provide solutions to manufacturers, retailers and foodservice companies.
Job Purpose and Impact

The Cargill Agricultural Supply Chain Trade Product Control Analyst will be responsible for financial risk management in commodity, foreign exchange risks and trading profit and loss for the Cargill Agricultural Supply Chain – Europe Biodiesel business. In this role, you will partner with key stakeholders to deliver key controls, compliance, data and reports timely and accurately. You will contribute to standardization and optimization of processes and new solutions to enhance automation and implement transformation. Key Accountabilities

Complete commodity and foreign exchange position reporting and reconciliation in collaboration with key stakeholders, and ensure any significant differences are resolved and communicated appropriately.
Monitor commodity and foreign exchange exposure and complete all financial reporting within deadlines and compare against limits, escalate breaches of limits and get resolution of breach in collaboration with business stakeholders.
Manage reports and reconcile trading profit and loss by line of impact with key stakeholders.
Support compliance operations and monitor points of control, prepare presentations and actively participate in Risk Committee.
Collaborate with peers to implement process simplification and enhance process standardization, optimize reporting, and deliver automation and transformation processes.
Drive risk management best practices and improvement activities, in collaboration with leaders and business partners.
Independently solve moderately complex issues with minimal supervision, while escalating more complex issues to appropriate staff.
Other duties as assigned. Qualifications
Minimum Qualifications
Bachelor’s degree in a related field or equivalent experience
Minimum of two years of related work experience
Other minimum qualifications may apply Preferred Qualifications Experience in finance domain with a knowledge of financial risk management and related financial processes. Strong problem-solving and analytical skills. Independent approach towards tasks and self-initiative. Prior Beneficial Experience

Accounting, shared services or financial risk management experience.
Provide financial modeling input into business cases, costs, and schedules to support growth in the business.
Contribute to the preparation of various data and analytics reports. Key Behaviors

Makes sense of complex, high quantity, and sometimes contradictory information to effectively solve problems.
Develops and delivers multi-mode communications that convey a clear understanding of the unique needs of different audiences.
Holds self and others accountable to meet commitments. Skills and experiences to be gained

Experience in reporting and analyzing commodity position, foreign exchange position and trading profit and loss.
Experience in reporting on derivatives, foreign exchange and commodity compliance.
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Date limite: 31-12-2025

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